SPGI vs V: Which Is the Better Dividend Stock?
As of July 2026, SPGI and V are closely matched. SPGI offers the higher yield at 0.86%, SPGI has the higher dividend-safety score, and V trades at the larger discount to fair value (-3%).
| Metric | SPGI | V |
|---|---|---|
| Forward yield | 0.86% | 0.75% |
| Annual dividend | $3.88 | $2.68 |
| Payout ratio | 24% | 22% |
| Years of growth | 20 yr | 17 yr |
| 5-yr dividend growth | 7.5% | 14.9% |
| 5-yr total return | 7% | 57% |
| Dividend safety score | 98 (A) | 92 (A) |
| Fair value estimate | $411.33 | $348.88 |
| Upside to fair value | -9% | -3% |
| Frequency | monthly | quarterly |
| Market cap | $132.7B | $685.7B |
| P/E ratio | 28.5 | 31.2 |
Higher yield
SPGI
0.86%
Safer dividend
SPGI
Grade A
Faster growth
V
14.9%
Better value
V
-3% upside
SPGI vs V — FAQ
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